The implications of the gasoline theft problem on the JUTC, a state-owned business entity, include financial losses, operational disruptions, damage to public confidence and image, strain on government funds, and a potential negative impact on investor confidence. Addressing these implications is crucial for the stability and growth of the JUTC and the overall transportation system in Jamaica.
The implication on the nation's state-owned business entity, the Jamaica Urban Transit Company (JUTC), due to the gasoline theft problem is significant. Here are some key implications:
1. Financial Loss: Fuel theft costs the JUTC billions of dollars annually. The company is projected to register at least $8 billion in losses this fiscal year alone. This substantial financial drain affects the overall financial stability of the JUTC and hampers its ability to invest in improving its services and infrastructure.
2. Operational Disruption: The theft of gasoline directly impacts the operational efficiency of the JUTC. When fuel is stolen from buses, it leads to disruptions in the transportation system. Buses may run out of fuel or be unable to operate at their full capacity, resulting in delays, canceled routes, and inconvenience for passengers. This can damage the reputation of the JUTC and deter people from using public transportation.
3. Public Confidence and Image: The continuous fuel theft problem and collusion between thieves and some workers at the JUTC can undermine public confidence in the company. When a state-owned business entity like the JUTC faces such challenges, it raises concerns about the effectiveness of management and the overall integrity of the organization. This can lead to a loss of trust from the public, which may opt for alternative transportation options or demand stricter accountability measures.
4. Negative Impact on Government Funds: As a state-owned entity, the JUTC relies on government funds for subsidies and support. The significant losses incurred due to fuel theft strain government resources. These funds could have been allocated to other crucial areas such as healthcare, education, or infrastructure development. The government may be compelled to allocate additional funds to address the financial gaps created by the theft, diverting resources from other essential sectors.
5. Reputation and Investor Confidence: The repeated instances of fuel theft and internal collusion within the JUTC can damage its reputation and investor confidence. This can deter potential investors from investing in the company or partnering with it for future projects. A tarnished reputation can hinder the JUTC's ability to attract private investment and secure the necessary funding for expansion and modernization.
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Please hurry!
What a loan is, what interest is, and how the annual percentage rate (APR) measures the true cost of a loan.
Answer:
In finance, a loan is the lending of money by one or more individuals, organizations, or other entities to other individuals, organizations etc. The recipient incurs a debt and is usually liable to pay interest on that debt until it is repaid as well as to repay the principal amount borrowed.
Explanation:
HURRY I NEED HELP!!!
Does globalization (or global trade) provide an opportunity to the world (positive), or does it take advantage of local individuals and cultures (negative)? Explain in a CREW format.
Interviewer: I am here on a very crowded Wall Street with protesters chanting all around me…
Group of Protesters: People before profits! People before profits! People before profits!
Interviewer: Many of these folks are against the growth of global free trade. They believe free trade is to blame for increases in poverty, income inequality (lots of rich and lots of poor), and environmental damage in recent decades. They claim that the elimination of tariffs and other barriers to trade have simply allowed large, multinational corporations to move into and exploit (take advantage of) developing nations, while hurting many U.S. workers and families, too.
Protester 1 (wearing a “No More Sweatshops” T-shirt): The extreme expansion of capitalism and free trade has allowed large, multinational companies to exploit developing countries, and especially their poorest citizens who are often forced to work for less than $1.00 day. Many of the factories set up by these big companies are sweatshops– dirty, dangerous, and the pay is awful. We are here protesting for a ‘living wage’ for all foreign employees of U.S. corporations.
Union representative: I’m tired of these large, unfeeling corporations sending our good paying manufacturing jobs overseas to some factory where workers make $1.50 an hour, instead of letting Americans have those jobs…That’s what’s happening in the textile industry, the steel industry, and the auto industry, too. These are industries that built America and now our jobs are going to China or Mexico...
Interviewer: The other side of this global debate–you might call them free-trade advocates– argues that opening up markets and international borders to free trade has had all kinds of benefits for developing nations, as well as the United States and other industrialized nations. They cite data showing increased life expectancy, increased literacy (ability to read and write), more political freedom, and a reduction in the proportion of people living on less than $1.00 per day in the developing nations.
Manager: Evidence shows that the number of people living on $1.00 per day or less has decreased by 50% in the last 20 years, which was a period of rapid world economic growth, largely because of international trade. And the percentage of people who are malnourished (Starving) has dropped from 56% in the 1960s to only 10% today. Again, during a period of global economic growth, fueled by trade. Look, our corporation has a factory in Vietnam. Last year our factory there paid 2 times the local wage. That was a big step up for those workers, and it made sense for us, too, because it meant we could get the most productive local workers.
Shopper: Let’s also look at all of the different product choices we have. I can go into the grocery store and find different types of food from all over the world. We are limited in what we can produce and grow here in America, so having global trade gives us so many more options.
C- Claim (Globalization provides an opportunity to people throughout the world [or] Globalization takes advantage of local individuals and cultures around the world.)
R- Reason (It provides the opportunity because… [Or] It takes advantage of others because…)
E- Evidence (insert a quote from the reading to prove your positive or negative side)
W- Warrant (This quote shows how globalization is positive/negative because… We should/shouldn’t continue to trade with other countries of the world because...)
Answer:
In general, globalization has been shown to increase the standard of living in developing countries, but some analysts warn that globalization can have a negative effect on local or emerging economies and individual workers. Globalization is not new.
The cost of doing business and establishing retail pricing are directly related to a business’s bottom line. Therefore, if there is a change in the cost of goods, it will affect the profitability of a business that has set prices for its products.
How might profitability and market share be affected if retail pricing fluctuates depending on the cost of raw materials?
Why do you believe that to be the case?
Why is it important that a company’s pricing objectives fit well with its marketing objectives?
Please number your response for each question (1, 2, and 3).
(1). As increases in the cost of raw materials are there, because higher the raw material, there will be increasing of production cost at company levels. As it could felt by the consumers.
What is Business?The word business is defined as, Businesses that are for-profit operate to make a profit, whereas those that are noncommercial do so to further a philanthropic cause. The term business refers as They could be industrial.
(3). As each business has their different goals and objective by having the pricing objective, the framework was there which determines. That how you should set your prices.
Therefore, As a result, by changes in the retail pricing of the products, there would be direct effect of business will be there in it.
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Action Travel has 10 employees each working 40 hours per week and earning $20 an hour. Federal income taxes are withheld at 15% and state income taxes at 6%. FICA taxes are 7.65% and unemployment taxes are 3.8% of the first $7,000 earned per employee. What is the actual direct deposit of payroll for the first week of January
Answer:
$5,708
Explanation:
Computation of the actual direct deposit of payroll for the first week of January
The First step is to find the total salary expenses
Total salary expenses= 10 employees × 40 hours × $20
Total salary expenses= $8,000
Second step is to calculate the actual direct deposit of payroll
Total salary expense $8,000
Federal income tax rate ($1,200)
($8,000*15%)
State income tax rate ($480)
($8,000*6%)
FICA tax rate ($612)
($8,000*7.65%)
Actual direct deposit $5,708
Therefore the actual direct deposit of payroll for the first week of January will be $5,708
how can a business meet customer needs
Define Unique Selling Proposition (USP)/Value Proposition. Why
is it important to have a USP? What is the most unique USP in the
ICE CREAM Industry in your opinion and why?
A unique selling proposition (USP) or a value proposition is a statement that explains what sets a product, service, or brand apart from others in the same market. A USP is important because it helps businesses differentiate themselves and communicate their value to their target audience.
A USP should be concise and communicate the most significant benefit or unique feature that a business offers to its customers.
It should be something that resonates with the target audience and motivates them to buy from the business rather than its competitors.
The most unique USP in the ice cream industry, in my opinion, is that of Ben & Jerry's, which is "Peace, Love, and Ice Cream."
This USP is unique because it reflects the company's values and mission beyond just selling ice cream.
The brand's commitment to social justice and activism resonates with its target audience, which is often young and socially conscious.
Ben & Jerry's has been successful in communicating its USP through various marketing channels, including packaging and advertising.
As a result, the brand has built a loyal customer base that values not only its delicious ice cream but also its commitment to social responsibility.
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Brainliest and 50 points each.
An athletic shoe company that specializes in running shoes is developing a new shoe that has cutting edge features that will revolutionize long-distance running. This product has never been sold before, and they would like to launch right before summer. In 1 to 2 paragraphs, describe the marketing research that would help solve this problem.
Examine past sales history: Examine sales history to determine and differentiate which items sold well and which did not. Conduct extensive market research: This is critical for predicting future sales and determining whether the shoes will sell satisfactorily.
What is meant by past sales history?Past sales history is the checking of the sales and the time and occurrence of the sales, and on which product the sales are maximum. This will help the team to understand the preference of the customers.
Past sales history helps the company to forecast their next strategy and understand the customer. This is used in making the shoes of people kinds.
Thus, Examine past sales history and Conduct extensive market research.
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One of the following is against the business ethics. Find it.
a) Charging fair price for the product.
b) Giving wages to employees if by not considering their work load. c) Using correct measurement for products
d) Giving chances to hear the problems of employees.
if the federal government spends more than it collects in revenue, then
If the federal government spends more than it collects in revenue , then this situation represents a (a) Budget deficit .
A Budget Deficit situation happens when the federal government spends more money than it collects in revenue in a given fiscal year.
When the government spends more than it collects in taxes, it must borrow the difference to finance for its spending, this leads to an increase in the national debt.
A budget deficit is also seen as a measure of the government's fiscal responsibility and it have a significant implications for the economy and public finances over time .
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The given question is incomplete , the complete question is
If the federal government spends more than it collects in revenue , then this situation represents a
(a) Budget deficit,
(b) Fiscal scenario,
(c) Liquidity trap,
(d) Deflation,
(e) National debt.
Accounting does anyone know how to do a work sheet
Answer:
you can download it as a pdf document and then you can write on it, or you can print it out.
Explanation:
working on a song for someone I used to love
I'll go through all of the realities to find you
(If I need you)
Just so I can hold your hand...
Even if they think it's fake...
I want you to understand
that there's a certain miss
and a certain love
and a heartache in my chest
every time i hear your name
and im still lying in my bed
without you....
Answer: this is awsom do we have to add on or no but this is the best lyiric ever lol
Explanation: great job
Charles Adams deposited $1,000 in a savings account that earns 4%
interest compounded monthly. He made no other deposits or
withdrawals. What was the amount in the account at the end of 2
months? How much is the compound interest?
$1,006.67 and $6.67
$1,013.67 and $13.67
О. $1,020.10 and $20.10
$1,040.40 and $40.40
Answer:
$1,013.67 and $13.67
Explanation:
The formula for calculating compound interest is as follows
FV = PV × (1+r)^n
Where Fv is the future value
Pv is the present value, $1000
r is the interest rate 4%
n is number of periods= 2 months
Since time is in months, applicable interest rates will be 4% per year divided by 12 months multiplied by 2
=4/12 x 2 =0.67%
Fv = $1000 x (1 + 0.67/100)^2
Fv = $1000 x (1.0067)^2
Fv = $1000 x 1.01344489
Fv= $1,013.44
The amount will be $1,013.44.
Interest will be $1,013.44 - $1000 = $13.44
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At Beta Distribution Center, a worker was injured when she tried to remove
items from a shelf and knocked a heavy box onto her foot. A week later, some
posters stored in tubes rolled off another shelf and into an aisle. A second
worker tripped over a tube and fell. Which of the following measures would
best prevent this type of safety problem at Beta?
A Teach procedures for stacking items in straight, even loads.
B. Train workers to lift with the legs and avoid twisting.
оооо
OC. Give workers protective equipment to use when handling spills.
D. Mark dock edges with warnings.
Answer:
A.
Explanation:
If the things were placed correctly and evenly, then no injuries would occur. The first worker accidently knocked something down. This happened because the items on the shelf were wrongly placed. The second worker was injured because posters stored in the tubes were in uneven loads, hence why they rolled onto another shelf.
Teach procedures for stacking items in straight, even loads measures would best prevent this type of safety problem at Beta. Thus, option A is correct.
Who is a worker?The worker can be defined as a person who is being employed for the services that they can render. They are often paid according to the job that they have done. Any kind of workers are operators some kind of artists etc
Beta distribution Centre the worker when trying to remove the shell float was injured and did not stop in complete order and they were carelessly placed. The misplaced objects on the shelf are to blame for what transpired.
There the people are the stacking Team should be given knowledge regarding the same. No damage should result from incorrect or uneven placement of the objects.
Therefore, option A is the correct option.
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eBook The real risk -free rate is 3.15%. Inflation is expected to be 4.15% this year, 4.85% next year, and 2.2% thereafter. The maturity risk premium is estimated to be 0.05 \times (t - 1)%, where t = number of years to maturity. What is the yield on a 7-year Treasury note?
Given,The real risk -free rate = 3.15%Inflation expected to be this year = 4.15%Inflation expected to be next year = 4.85%Inflation expected to be thereafter = 2.2%The maturity risk premium = 0.05 (t-1) % where t is the number of years to maturity of the bond.The formula for calculating the yield on a Treasury note is:
Yield = RRF + IP + MRP + DRYPYield = RRF + IP + MRP + [(RRF + MRP) × IP] whereIP is the expected inflation premiumDRY is the default risk premiumMRP is the maturity risk premiumRRF is the real risk-free rateSo, the yield on a 7-year Treasury note can be calculated as follows;IP = Inflation premium = (4.15% + 4.85%) / 2 + 2.2% / 2IP = 3.825%MRP = Maturity Risk Premium = 0.05 × (t - 1) % where t = 7MRP = 0.05 × (7 - 1)%MRP = 0.25%DRP = Default risk premium = 0
(The bond is considered to have a very low probability of default.)Yield = RRF + IP + MRP + DRYYield = 3.15% + 3.825% + 0.25% + [(3.15% + 0.25%) × 3.825%]Yield = 7.81%Therefore, the yield on a 7-year Treasury note is 7.81%.Hence, the answer is that the yield on a 7-year Treasury note is 7.81%
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In hopes of earning a few dollars on belongings they no longer use or want, some people take their household items to consignment shops, while other people sell their items on eBay. Which method of selling can be argued to have more structural holes?
Answer:
Selling through a consignment shop
Explanation:
Structural holes refer to a situation in which parties in a network are not able to interact.
A consigment shop is a store where you can take things to sell and the owner decides a price to pay and then, the objects are sold to someone else at a higher price and the owner gets a profit.
eBay is an online shopping site that allows people to sell things directly to buyers.
According to this, the answer is that the method of selling that can be argued to have more structural holes is selling through a consignment shop because buyers can't negotiate directly with the sellers which they can do in eBay.
when entering foreign markets, basic entry choices include: group of answer choices exporting and importing exporting and fdi exporting and licensing exporting, licensing, and fdi
When entering foreign markets include: exporting, licensing, and foreign direct investment (FDI). The correct option is D.
Exporting refers to selling goods and services produced in one country to customers in another country. This is a common and straightforward way for businesses to expand internationally, as it does not require the establishment of operations in the foreign market.
Licensing is an agreement between a company and a foreign partner, where the company allows the partner to use its intellectual property, such as patents, trademarks, or technology, in exchange for a fee or royalty. This method allows the company to enter foreign markets without significant investments in new facilities or personnel.
Foreign Direct Investment (FDI) involves a company investing directly in production, distribution, or other business activities in a foreign country, either by acquiring an existing business or establishing a new one. This method allows the company to have a stronger presence in the foreign market, but it usually requires a higher level of investment and commitment.
In conclusion, when entering foreign markets, the basic entry choices include exporting, licensing, and FDI. Companies must evaluate the benefits and risks associated with each method to determine the best approach for their specific situation.
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Complete question:
when entering foreign markets, basic entry choices include:
A. exporting and importing
B. exporting and FDI
C. exporting and licensing
D. exporting, licensing, and FDI
A student made a table in Excel and enters data in an adjacent cell. What is an advantage of making the table in an Excel worksheet?
Excel automatically adds the data from the adjacent cell to the table.
The user has the option to include the adjacent data in the table.
Adjacent cells can be filtered according to the data in the table.
Table headings are automatically applied to data in the adjacent cell.
The advantage of making the table in an Excel worksheet is that the adjacent cells can be filtered according to the data in the table.
What is an adjacent cells?In a Spreadsheet, these are cell that is in the same row and adjoins the current cell in a worksheet.
Hence, the advantage of making the table is that the adjacent cells can be filtered according to the data in the table.
Therefore, the Option C is correct.
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yall i just need like 4 sentances of information about retail technology!!!
FIRST ANSWER GETS BRAINLIEST!!
Answer:
Virtual and augmented reality offer retailers several ways to enhance the customer experience. From browsing products to virtually “trying them on,” extended reality is already in use by many retailers today the information technology investment in the retail sector has increased significantly. IT plays an important role in the management of complex retail operations. Market knowledge, as well as control of data and information is essential to obtain a competitive advantage in the retail sector.Retailers can now closely follow customer trends, helping them figure out which products are attracting customers the most. Technology aids retailers to competitively price their products, by doing research of other markets and their prices as well as their products.
Explanation:
Tari is a human resource manager at a software company. She receives a call from an HR manager at another software company asking about Misha, a software engineer who used to work at the company and has applied for a job at the caller's company. Tari checks the company's records and sees that a co-worker had accused Misha of racial discrimination, but an investigation did not turn up any evidence to support the charge. Misha left the company two months later, saying she was no longer comfortable there. Tari is concerned about sharing the details of this situation with the caller. If telling the information to the caller leads to the other company not hiring Misha, what potentially unlawful behavior could Misha accuse the company of engaging in
The potentially unlawful behavior that Misha could accuse the company of engaging is Defamation or Misrepresentation
Defamation occur when a person give out wrong information or misleading information about another person that may damage the reputation of the person.
Based on the give scenario there was no any form of evidence to support the charge that Misha was a racial discriminatory.
Which means that if Tari shared what transpired with the caller it my damaged Misha reputation which will inturn may affect her career.
Assuming Tari later explained what transpired to the caller which leads to the other company not hiring Mirah it means Tari has engaged in unlawful behavior of tarnishing Misha reputation hence, Misha could accuse the company of engaging in defamation of character.
Inconclusion The potentially unlawful behavior that Misha could accuse the company of engaging is Defamation or Misrepresentation.
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technological advances allow smaller companies to compete with larger companies. group of answer choices true false
True, Technological advances allow smaller companies to compete with larger companies.
What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.
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How much is a standard tip?
•10-15 percent
•15-20 percent
•20-25 percent
•25-30 percent
evans & sons, inc., sold $100,000 face value, six percent coupon rate, four-year bonds, for an aggregate issue price of $95,000. calculate the total interest expense to be recorded by the company over the four-year life of the bonds.
The total interest expense to be recorded by the company over the four-year life of the bonds is $29,000.
Using this formula
Total Interest expenses=(Face value× Coupon rate× Bond year)+(Face value-Issue price)
Let plug in the formula
Total Interest expenses=($100,000 x .06 x 4) +($100,000-$95,000)
Total Interest expenses= $24,000+$5,000
Total Interest expenses=$29,000
Inconclusion the total interest expense to be recorded by the company over the four-year life of the bonds is $29,000.
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Define store records
Answer:
this is an important document that helps an organisation to determine the rate of use of raw materials
A $1,000 par value bond with a fixed 10% rate of interest pays coupons semiannually. What amount will the bondholder receive on the bond's maturity date? a. $50 b. $100 c. $500 d. $1,000 e. $1,050
A $1,000 par value bond with a fixed 10% rate of interest pays coupons semiannually. This means that the bondholder will receive an interest payment of $50 ($1,000 x 10% / 2) every six months.
Assuming the bond is held until maturity, the bondholder will receive the full par value of the bond, which is $1,000, in addition to the last coupon payment. Therefore, the total amount the bondholder will receive on the bond's maturity date is $1,050 ($1,000 + $50). It's important to note that this assumes that the issuer of the bond does not default on its payment obligations.
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Which of the following is not a fixed cost? *
O monthly gym membership
car payment
O rent
O vacation/recreation/fun expenses
(a) An amount of $100 is deposited into an account at the end of the 1st year, after which payments of $200, $400, $600,... are deposited at the end of every 2 years, that is, there will be a payment of $200 at time 3, a payment of $400 at time 5, and so on. The last payment will be made at the end of the 15th year. Determine the present value if the annual effective rate of interest is 2%. Round your answer to the nearest cent. [7] (b) An annuity-due consists of a first payment of $100, with subsequent payments increased by 7% over the previous one until the 10th payment, after which subsequent payments are level at the amount of the 10th payment. If the effective rate of interest is 7% per payment period, determine the present value of this annuity-due with 20 payments. Round your answer to the nearest cent
The present value of the series of uneven cash flows and the annuity-due with increasing and level payments can be calculated by discounting each cash flow back to the present using the respective effective rates of interest.
(a) To calculate the present value of the series of uneven cash flows, we need to discount each cash flow back to the present using the given annual effective rate of interest of 2%. The first cash flow of $100 at the end of the 1st year does not need to be discounted since it is already at the present time. The subsequent cash flows of $200, $400, $600, and so on, occur every 2 years. We can treat these cash flows as a series of regular cash flows of $200 at the end of every 2 years. We can use the present value of an ordinary annuity formula to calculate the present value of these cash flows:
Present Value = \($100 + $200/(1 + r)^2 + $200/(1 + r)^4 + $200/(1 + r)^6 + ... + $200/(1 + r)^30\)
where r is the annual effective rate of interest (2% in this case). By substituting the values and calculating the sum, we can find the present value of this series of cash flows.
(b) For the annuity-due with increasing payments followed by level payments, we need to calculate the present value of each payment and then sum them up to find the total present value. The first payment is $100 and subsequent payments increase by 7% over the previous one until the 10th payment. After the 10th payment, subsequent payments remain constant at the amount of the 10th payment. We can use the present value of an annuity-due formula to calculate the present value of these cash flows:
Present Value = \($100/(1 + r) + ($100 * (1 + g))/(1 + r)^2 + ($100 * (1 + g)^2)/(1 + r)^3 + ... + ($100 * (1 + g)^10)/(1 + r)^11 + ($100 * (1 + g)^10)/(1 + r)^12 + ... + ($100 * (1 + g)^10)/(1 + r)^30\)
where r is the effective rate of interest (7% per payment period) and g is the growth rate of subsequent payments (7% in this case). By substituting the values and calculating the sum, we can find the present value of this annuity-due with 20 payments.
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Which situation most directly illustrates a possible outcome of a fiscal
policy?
A. New environmental regulations make drinking water in a city safer.
B. The government decides it is time to print a great deal of new
money
O C. Struggling farmers receive less assistance from the government.
O D. A company decides to expand its operations into several new
states
Answer:
C
Explanation:
The correct answer would be option C that says that the struggling farmers receive less assistance from the government as fiscal policies are associated with determining the expenses and taxation policies to the various sectors to regulate the direction of the economy.
There are two types of Fiscal Policy that are Expansionary and Contractionary.
Expansionary fiscal policy:
deals with an increase in spending and/ or relaxing in taxation by the government so that consumers in the economy get more money.Contractionary policy:
deals with reducing spending and/ or increasing taxation.In this case, farmers did not get assistance from the government due to reducing the amount of Federal money available for farming and farmers is an illustration of Contractionary fiscal policy.
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what used to indicate the goods listed on the purchase order which were actually received?
To show that the goods listed on the purchase order were actually received is the receiving report.
Meaning of receiving reportThe term used to indicate the goods listed on the purchase order which were actually received is called a "receiving report." A receiving report is a document that lists the items that were actually received and their quantities. It is used to verify that the goods listed on the purchase order were actually received and to update inventory records.
The receiving report is also used to compare the goods received with the goods listed on the purchase order to ensure that there are no discrepancies. If there are any discrepancies, they are noted on the receiving report and the appropriate action is taken to resolve the issue. Overall, the receiving report is an important document that helps to ensure accurate and efficient inventory management.
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Which of the following is a difference between Fiedler’s contingency theory of leadership and the path-goal theory of leadership? Select one: a. The Fiedler theory states that a leader can adopt the four leader styles of directing, coaching, supporting, and entrusting, whereas the path-goal theory measures leadership style with the least preferred coworker scale. b. The Fiedler theory discusses leader style, followers and situation, and the rewards to meet followers' needs, whereas the path-goal theory discusses leadership style and group task performance. c. The Fiedler theory enables leaders to diagnose both leadership style and organizational situation, whereas the path-goal theory focuses on the characteristics of followers as the most important element of the situation. d. The Fiedler theory made the assumption that new leaders could take over as situations change, whereas in the path-goal theory, leaders change their behaviors to match the situation.
Answer:
d. The Fiedler theory made the assumption that new leaders could take over as situations change, whereas in the path-goal theory, leaders change their behaviours to match the situation.
Explanation:
Fiedler's theory of leadership is based on the assumption that the leaders can be different and their effectiveness can be measured as when the the situation changes. Accordingly he prefers new management to a new situation, rather than the old one.
Whereas the path goal theory of leadership is based on the assumption and study that allows the managers to change in their behaviours as and when their situation demands. This provides for better working environment and encouragement for employees.
Maxwell Mining Company's ore reserves are being depleted, so its sales are falling. Also, because its pit is getting deeper each year, its costs are rising. As a result, the company's earnings and dividends are declining at the constant rate of 4% per year. If Do $4 and rs = 12%, what is the value of Maxwell Mining's stock? Round your answer to the nearest cent
The correct option is $48.00. The dividend of Maxwell Mining Company can be calculated using the formula;D0 = $4If the rate of decline of dividend is 4%, then the dividend after one year (D1) will be;D1 = D0(1 - g)
Where g = growth rateD1 = $4 (1 - 0.04)D1 = $3.84The cost of capital of the company is given as 12% or 0.12 in decimal form. Therefore, the capitalization rate (ks) is; ks = 12% or 0.12 in decimal form.
Using the constant dividend growth model formula;P0 = D1 / (ks - g)Substituting the values above;P0 = 3.84 / (0.12 - 0.04)P0 = $48.00The value of Maxwell Mining's stock is $48.00 (rounded to the nearest cent).
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